This paper, written by Kerry Craig, discusses consumer resilience amid a slowing global economy.
For Asian investors, it is important to recognize that political and policy risks and financial assets do not necessarily follow a simple one-for-one relationship.
Tai Hui, Chief Market Strategist for APAC, discusses which fixed income asset class Asia investors should consider.
We believe the Brexit negotiations will conclude with a relatively “soft” Brexit.
We expect continued solid returns for emerging market debt (EMD) over the next six to 12 months, driven by healthy fundamentals, a supportive net issuance level and attractive valuations.